Requirement: 3- 5 years' experience in the structured credit/investment environment/development finance/corporate Key Activities: Ability to assess credit, quasi-equity and equity risk and prepare necessary submissions the organization to be able to identify potential risks and make appropriate recommendations. Ability to for new and existing clients. Understanding of Credit, Equity and Quasi equity lending and investment writing and presentation skills, Communication skills, risk management, attention to detail, teamwork, Professionalism
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5 years experience in structured Credit/
Investment environment/ development finance/Corporate
Assess, analyse, and mitigate credit risks within the bank's portfolio of lending products Monitor the performance of banks credit portfolios Identify trends and risks, recommend risk mitigation strategies strategies Maximise risk adjusted returns Prepare reports highlighting key risk metrics, trends, and recommendations model risk for the credit portfolio Drive RDARR compliance Contribute to the efficacy of credit processes Ensure optimal credit cut-off strategies are in place Ensure the Credit Risk framework and credit policies
Leading Financial Services Company requires a Credit Risk Portfolio Manager to join their team and be responsible mitigating credit risks within the portfolio of lending products. Monitor the performance of credit portfolios identifying trends and potential risks, and recommending appropriate risk mitigation strategies. Preparing Managing model risk for the credit portfolio. Ensure the Credit Risk framework and related credit policies implementation of credit risk strategy across the credit lifecycle. Implement and monitor credit limit increase
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The Credit Risk Manager origination and structuring, will assist the Credit Risk Executive with appropriate credit and investment risk deal assessment processes. You will manage a team of Credit analysts analysts to ensure that all credit and investment projects and opportunities that require development finance around the improvement of assessment processes and risk-enhancing mechanisms. Manage all aspects of the development investments to align with the businesses mandate, risk tolerance and strategic direction.
CTC Neg The Credit Risk Manager – origination and structuring, will assist the Credit Risk Executive with appropriate credit and investment risk deal assessment processes. You will manage a team of Credit analysts analysts to ensure that all credit and investment projects and opportunities that require development finance around the improvement of assessment processes and risk-enhancing mechanisms. Manage all aspects of the development investments to align with the businesses mandate, risk •tolerance and strategic direction. •Evaluate
Assess, analyse, and mitigate credit risks within the bank's portfolio of lending products Monitor the performance of banks credit portfolios Identify trends and risks, recommend risk mitigation strategies strategies Maximise risk adjusted returns Prepare reports highlighting key risk metrics, trends, and recommendations model risk for the credit portfolio Drive RDARR compliance Contribute to the efficacy of credit processes Ensure optimal credit cut-off strategies are in place Ensure the Credit Risk framework and credit policies
Leading Financial Services Company requires a Credit Risk Portfolio Manager to join their team and be responsible mitigating credit risks within the portfolio of lending products. Monitor the performance of credit portfolios identifying trends and potential risks, and recommending appropriate risk mitigation strategies. Preparing Managing model risk for the credit portfolio. Ensure the Credit Risk framework and related credit policies implementation of credit risk strategy across the credit lifecycle. Implement and monitor credit limit increase
experienced Senior Credit Analyst to join their team. As a Senior Credit Analyst, you will be responsible informed investment decisions and managing the credit risk of the firm's portfolio. Your responsibilities assessing debt structures, and preparing detailed credit recommendations. The ideal candidate will have analytical skills, and a proven track record in credit analysis and investments. Responsibilities: Analyze Conduct industry and market research to assess the risks and opportunities associated with investment opportunities
Investment Manager, is currently seeking a Senior Credit Analyst with Asset Management experience to join their Johannesburg. Responsibilities: Analyze financial data and credit history to determine the likelihood of a borrower and forecasts based on financial data Prepare credit risk assessment reports and make recommendations to compliance with credit policies and guidelines Monitor loan portfolios for compliance and risk assessment that may impact credit decisions Requirements: Proven working experience as a Credit Analyst, preferably